Associate, Insurance Regulatory — New York
- LocationNew York, New York
- Work typeOn-site
- Experience3–5 PQE
- Compensation$245k–$290k
- PracticeInsurance, Compliance & Regulatory
A global law firm
Apply in confidence →Join a national insurance regulatory and compliance team within a global financial services practice. The group represents insurers, private equity sponsors and other insurance-related businesses on regulatory, compliance and transactional matters across U.S. jurisdictions.
The role involves counseling clients on insurance regulatory filings and approvals, holding-company compliance, formation and licensure of insurers, and regulatory aspects of mergers, acquisitions and joint ventures. You will handle regulatory reporting, respond to insurance department inquiries, support examinations and administrative proceedings, and help develop compliance programs and internal controls.
This position offers exposure to complex, cross-jurisdictional matters and regular interaction with regulators and senior lawyers, with opportunities to build deep subject-matter expertise in insurance law and transactional work.
- JD from an accredited law school and strong academic record
- Admitted to practice in New York (or admitted in Associate's primary office)
- 3–5 years' relevant experience in insurance regulatory, compliance and transactional work
- Experience with state insurance laws, regulatory filings, licensure, and interactions with insurance regulators
- Strong drafting and transactional skills (agreements, opinion letters, regulatory filings, policies)
- Excellent oral and written communication, sound judgment, and client-facing skills
- Ability to work independently and collaboratively, manage competing priorities, and handle urgent requests with accuracy
Apply for this role
Confidential. We never contact your current employer.